SPDR S&P 400 US Mid Etf (SPY4/IE00B4YBJ215), listed in Italy, closed the day's trading on 24th Jun at 65.83 EUR with a daily change of 2.96%.

The Etf's five-year performance is mostly growth.

AI sold the Etf at 69.21 on 25th Jan gaining 85.05%.
In the last 4 weeks during its downward movement it has opened 3 daily gaps of more than 1% extension and the most recent one was a bullish price gap from 63.97 to 65.83 opened on 24th Jun, 2 open gaps remain, 1 bullish and 1 bearish.
The average volume during positive days is the highest and peaked on 23rd Jun with 1420 units traded with a positive price change of 0.88%.
The Etf started its climb from the main cycle low at 7 o'clock from 24th Jun. The probability of a rise for the next 2 weeks is positive (4.55%), but would improve (4.93%) when the cycle reaches 8 o'clock.

The AI system, in the 1627 market days analysed, identified 7 operations for the Etf. The average change in positive trades (23.85%) was higher than negative trades (-0.2%) at a ratio of 116.6 to 1 and the overall average change is 20.41%
Updated at 24th Jun - 20:48:30

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YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-7.70%-7.70%                        
202135.07%3.73%6.06%8.01%1.99%-2.11%2.13%0.62%2.31%-0.82%4.89%1.54%2.53%
202033.18%-1.06%-9.30%19.05%3.93%0.55%0.74%1.34%-1.11%2.32%11.98%3.12%
201922.81%5.94%5.21%0.41%3.75%-5.81%3.68%5.11%-4.72%4.05%-1.20%5.02%0.19%
2018-4.45%-1.25%-3.04%4.44%-0.84%1.25%3.44%-0.52%-7.51%
2017-1.40%-1.58%5.54%-1.58%-1.03%-4.17%0.43%-2.43%-1.05%-0.16%3.48%1.49%0.02%
201630.70%0.67%3.90%3.21%2.44%-1.92%6.03%0.93%-2.24%1.75%10.62%2.32%
20152.39%5.34%6.04%5.71%-5.06%2.82%-2.54%1.19%-11.54%-0.93%7.68%5.77%-9.77%
201422.03%        -0.33%-1.84%1.95%4.72%-0.84%5.80%0.66%3.10%3.09%4.08%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-12.20%-8.10%2.74%3.59%-1.39%-2.23%-6.90%                        
202135.07%3.73%6.06%8.01%1.99%-2.11%2.13%0.62%2.31%-0.82%4.89%1.54%2.53%
20203.43%-1.06%-9.61%-18.86%14.33%3.93%0.55%0.74%1.34%-1.11%2.32%11.98%3.12%
201929.56%11.76%5.21%0.41%3.75%-5.81%3.68%5.11%-4.72%4.05%-1.20%5.02%0.19%
2018-9.18%-1.25%-0.99%-2.94%3.88%7.86%-0.84%1.25%3.44%-0.52%-7.01%2.25%-13.05%
20171.98%-1.58%5.54%-1.58%-1.03%-4.17%0.43%-2.43%-2.45%4.74%3.48%1.49%0.02%
201622.38%-7.81%2.26%3.90%3.21%2.44%-1.92%6.03%0.93%-2.24%1.75%10.62%2.32%
20158.98%5.34%6.04%5.71%-5.06%2.82%-2.54%1.19%-6.95%-3.83%7.68%5.77%-5.95%
201423.45%        0.83%-1.84%1.95%4.72%-0.84%5.80%0.66%3.10%3.09%4.08%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
20224.50%0.40%        1.39%2.23%6.90%                        
2021                                                    
202029.75%    0.31%18.86%4.72%                                
2019                                                    
20184.73%        2.94%                                13.05%
2017                                1.40%                
20168.32%7.81%                                            
2015                                    2.90%            
2014                                                    


Signals
DateSignalPriceProfitDays
25.01.2022Sold69.2185.05%664
01.04.2020Bought37.4
28.02.2020Sold48.1610.21%415
09.01.2019Bought43.7
15.10.2018Sold46.345-0.21%159
09.05.2018Bought46.44
07.02.2018Sold43.670.41%132
28.09.2017Bought43.49
03.08.2017Sold42.0522.88%524
26.02.2016Bought34.22
15.12.2015Sold35.061.82%104
02.09.2015Bought34.435
24.08.2015Sold33.72522.73%518
24.03.2014Bought27.48